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Sector Model XLB 1.77% Large Portfolio Date Return Days BBRY 7/16/2012 102.62% 269 SEAC 9/25/2012 34.03% 198 CAJ 9/25/2012 5.35% 198...
Sector Model XLB 0.70% Large Portfolio Date Return Days BBRY 7/16/2012 88.14% 272 SEAC 9/25/2012 31.09% 201 CAJ 9/25/2012 7.15% 201...
Sector Model XLB 0.88% Large Portfolio Date Return Days BBRY 7/16/2012 90.90% 279 SEAC 9/25/2012 33.17% 208 CAJ 9/25/2012 10.32% 208...
Sector Model XLI 1.98% Large Portfolio Date Return Days BBRY 7/16/2012 107.17% 285 SEAC 9/25/2012 31.33% 214 CAJ 9/25/2012 5.44% 214...
Sector Model XLB 2.05% Large Portfolio Date Return Days BBRY 7/16/2012 115.59% 292 SEAC 9/25/2012 34.27% 221 CAJ 9/25/2012 4.01% 221...
Sector Model XLB 3.97% Large Portfolio Date Return Days BBRY 7/16/2012 114.34% 299 SEAC 9/25/2012 34.03% 228 CAJ 9/25/2012 2.73% 228...
http://market-mousetrap.blogspot.com/2012/05/5132012-mousetrap-significant-advantage.html Apparently showing a significant advantage over...
From: http://market-mousetrap.blogspot.com/2013/05/05172013-quantifying-bernanke.html Last week we looked at the Shiller Yield (i.e. the inverted...
http://market-mousetrap.blogspot.com/2012/05/05192012-dont-panic.html
Sector Model XLB 5.74% Large Portfolio Date Return Days BBRY 7/16/2012 101.66% 307 CAJ 9/25/2012 7.85% 236 BOKF 2/4/2013 17.87% 104...
Sector Model XLB 4.33% Large Portfolio Date Return Days BBRY 7/16/2012 99.03% 312 CAJ 9/25/2012 8.26% 241 BOKF 2/4/2013 15.90% 109...
Sector Model XLB 3.97% Large Portfolio Date Return Days BBRY 7/16/2012 99.72% 313 CAJ 9/25/2012 5.26% 242 BOKF 2/4/2013 16.60% 110...
http://market-mousetrap.blogspot.com/2012/05/05282012-planned-rotation-dd-for-sai.html
Sector Model XLB 3.28% Large Portfolio Date Return Days BBRY 7/16/2012 92.55% 321 CAJ 9/25/2012 -0.35% 250 BOKF 2/4/2013 16.81% 118...
Condition Bear Market S&P Target 1230 Small Portfolio IAU & XLF 3.42% Margin (short) XLU -4.46% Position Date Return Days...
Sector Model XLB -0.72% Large Portfolio Date Return Days CAJ 9/25/2012 -5.00% 263 BOKF 2/4/2013 13.03% 131 SWM 2/12/2013 40.58% 123...
Condition Bear Market S&P Target 1280 Small Portfolio IAU & XLF 4.14% Margin (short) XLK 5.03% Position Date Return Days...
Sector Model XLU & XLV 1.14% Large Portfolio Date Return Days CAJ 9/25/2012 -2.65% 270 BOKF 2/4/2013 12.99% 138 SWM 2/12/2013 39.21% 130...
Sector Model XLU & XLB -1.74% Large Portfolio Date Return Days CAJ 9/25/2012 -4.45% 277 BOKF 2/4/2013 14.93% 145 ABX 4/11/2013 -34.96% 79...
Sector Model XLB & XLU 0.90% Large Portfolio Date Return Days CAJ 9/25/2012 -2.33% 285 BOKF 2/4/2013 19.11% 153 ABX 4/11/2013 -43.14% 87...
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